CME Clearing uses multiple daily timelines for our different processes and products. On this page we have compiled those timelines for your benefit. For a broader view of our hours of operation:

Banking Timeline

CME Clearing adheres to a designated timeline for daily performance bond collateral transaction and settlement cycle processing. The time frames apply to all specialized programs supported by CME Group, unless noted otherwise.

TIME EVENT
8:30 a.m. CT Clearing Member deadline to enter deposit and/or withdrawal requests in BAMS for foreign currency cash and securities for same day value (CAD, EUR, GBP, and MXN).
10:30 a.m. CT Clearing Member deadline to enter deposit and/or withdrawal requests in BAMS for foreign currency cash and securities for next day value (AUD, JPY, SEK, SGD).
11:00 a.m. CT Clearing Member deadline to enter all collateral deposit and/or withdrawal requests in BAMS prior to Intraday Settlements processing. Entries made after this time may not be processed until Intraday completes.
1:00 p.m. CT Clearing Member deadline to enter deposit and/or withdrawal requests in BAMS for COMEX Gold Warrants for margin credit.
2:00 p.m. CT

Clearing Member deadline to enter all non-cash collateral deposit and/or withdrawal requests in BAMS.

IEF2 deadlines vary by fund and may be earlier, but are accepted no later than 2pm CT.

2:30 p.m. CT

Clearing Member deadline to deposit or request withdrawals of USD cash in BAMS. Cash for deposits must be received in CME Settlement Bank accounts by 2:30. 

Clearing Member deadline to enter withdrawal requests of Stocks, ETFs, and Corporate Bonds into DTC and BAMS.

3:00 p.m. CT Deadline for same day processing of Letters of Credit.
3:30 p.m. CT Clearing firm deadline to enter deposits requests of Stocks, ETFs and Corporate Bonds into DTC and BAMS.
4:00 p.m. CT Clearing Member deadline to enter deposit and/or withdrawal requests in BAMS for foreign currency cash and securities for next day value (CAD, EUR, GBP, and MXN) or T+2 value (AUD, JPY, SEK, SGD).

OTC Clearing Timeline

New York Local Event
6:00 p.m.   Sunday evening market open
  4:00 p.m. Tokyo Capture quotes for JPY (LIBOR & OIS)
  4:30 p.m. Sydney Capture quotes for AUD (BBR-BBSW & OIS)
  4:30 p.m. Wellington Capture quotes for the NZD (BBR)
8:30 a.m.   Settlement banks confirm USD VM and Initial Margin call (portfolio) from previous day’s clearing cycle – USD, EUR, GBP and CAD cash moves at the settlement bank shortly thereafter (JPY, CHF and AUD are confirmed at this time, but cash moves on T+2).
3:00 p.m.   Capture quotes for USD (LIBOR & OIS) and CAD (CDOR & OIS).
  4:30 p.m.
Hong Kong & Singapore

Capture quotes for the following currencies:

  • HKD (HIBOR)
  • SGD (SOR)
  4:00 p.m. SAST

Capture quotes for the following currencies:

  • ZAR (JIBAR)
  4:00 p.m. CET

Capture quotes for the following currencies:

  • SEK (STIBOR), DKK (CIBOR/CIBOR2), NOK (NIBOR)
  • CZK (PRIBOR), PLN (WIBOR), HUF (BUBOR)
  4:00p.m. London

Capture quotes for the following currencies:

  • EUR (EURIBOR & OIS)
  • GBP (LIBOR & OIS)
  • CHF (LIBOR)
7:00 p.m.   Same day trade submission/acceptance deadline for all currencies.  Generate combined end-of-day Clearing reports for all currencies including Trade Register.
8:00 p.m.   Calculate Initial Margin for entire portfolio.
10:00 p.m.   Settlement instructions for all currencies are sent to settlement banks.
7:00 p.m.   Friday night Clearing closed until the following Sunday

Futures and Options Clearing Timeline

Event Eastern Time Central Time
NYMEX Early Coal (Clearing Codes F2C, F2Q, F4C, F4Q, MTC, MFY) 10:00 a.m. 9:00 a.m.
Dutch and UK Natural Gas (Clearing Codes TFO, TTO, UFO and UKO) 10:00 a.m. 9:00 a.m.
NYMEX Coal (API 2 and API 4) contracts 1.00 p.m. 12.00 p.m.
NYMEX Brent Crude Oil Futures-Style Margin Option (BZO) contracts 3.30 p.m. 2.30 p.m.
NYMEX Brent Crude Oil Futures Style Margin Option Contracts (BZO) UPDATE: No Contrary Instructions Commencing with March 2020 - SER-8430 3.30 p.m. 2.30 p.m.
NYMEX/COMEX Cut off Exercise/Abandon Entry 4:30 p.m. 3:30 p.m.
Announce NYMEX/COMEX Contrary Instructions ~4:30 p.m. ~3:30 p.m.
NYMEX and COMEX Option Contracts 4:30 p.m. 3:30 p.m.
Run NYMEX/COMEX E/A Process (Produce reports) ~5:15 p.m. ~4.15 p.m.
NYMEX/COMEX Metal Delivery Intentions 6:00 p.m. 5:00 p.m.
CBT FLEX Cut off Exercise/Abandon Entry 6:30 p.m. 5:30 p.m.
Announce CBT FLEX Contrary Instructions ~6:30 p.m. ~5:30 p.m.
CBT Cut off Exercise/Abandon Entry 6:30 p.m. 5:30 p.m.
Announce CBT Contrary Instructions ~6:30 p.m. ~5:30 p.m.
CME Cut off Exercise/Abandon Entry 6:30 p.m. 5:30 p.m.
Announce CME Contrary Instructions ~6:30 p.m. ~5:30 p.m.
NYMEX Late Power and Coal Contracts 6:30 p.m. 5:30 p.m.
CBOT Flex Option Contracts 6:30 p.m. 5:30 p.m.
CME Option Contracts 6:30 p.m. 5:30 p.m.
CBOT Option Contracts 6:30 p.m. 5:30 p.m.
NYMEX/COMEX/DME FEC cut-off (ALL) 6:45 p.m. 5:45 p.m.
NYMEX/COMEX/DME PCS Deadline 7:00 p.m. 6:00 p.m.
CME/CBT FEC cut-off (Electronic) 7:00 p.m. 6:00 p.m.
Run CME, CBT E/A Process (Produce reports) 7:15 p.m. 6:15 p.m.
Run CBT FLEX E/A Process (Produce reports) ~7:15 p.m. ~6:15 p.m.
CME/CBT FEC cut-off (Non-Electronic and Give-ups) 8:00 p.m. 7:00 p.m.
CME/CBT PCS Deadline 8:30 p.m. 7:30 p.m.
CGM deadline (all markets) 9:00 pm 8:00 pm

CME Group is the world’s leading derivatives marketplace. The company is comprised of four Designated Contract Markets (DCMs). 
Further information on each exchange's rules and product listings can be found by clicking on the links to CME, CBOT, NYMEX and COMEX.

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